In this episode of the Crypto 101 Podcast, Shiliang Tang, founder and managing partner of Monarch Asset Management, joins from the Out East Summit to explain how crypto market structure is evolving through DeFi, RWAs, derivatives, and 24/7 trading. He breaks down why Monarch uses a multi-strategy approach across derivatives, market making, arbitrage, funding basis trades, and DeFi because no single strategy works in every market environment.
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Chapters
00:00 Intro
01:10 - Monarch’s multi-strategy crypto approach
02:05 - Where the biggest opportunities are in this bear market
03:35 - RWAs, TradeXYZ, and weekend market dislocations
04:10 - Derivatives vs true tokenized assets
06:00 - Why traditional markets and crypto rails may run in parallel
07:55 - How tokenization can improve repo markets
12:00 - Why crypto is still stuck in an attention bear market
13:55 - Flows, old wallets, ETFs, and key market indicators
17:25 - What makes a token worth holding long term
19:35 - Prediction markets as portfolio hedges
23:40 - Compute trading as a new asset class
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